Valuation: iStar Inc.

Market Cap 663M 582M 540M 496M 938M 63.35B 958M 6.43B 2.52B 31.13B 2.49B 2.43B 108B P/E 2021
17x
P/E 2022 1.55x
Enterprise Value 920M 809M 750M 690M 1.3B 88.01B 1.33B 8.94B 3.5B 43.25B 3.46B 3.38B 150B EV / Sales 2021
10.5x
EV / Sales 2022 4.61x
Free-Float
77.31%
Yield 2021
1.88%
Yield 2022 4.91%
1 day+1.49%
Current month-65.71%
Current year-65.71%
5 years 16.16
Extreme 16.16
173.44
10 years 16.16
Extreme 16.16
173.44
Date Insider Type Main position Quantity % Market Cap.
22-12-27Other

Chief Executive Officer

0 0%
22-06-01Other

Chief Executive Officer

0 0%
22-02-27Other

Chief Executive Officer

0 0%
Change 5-day change 1-year change 3-year change Capi.($)
+1.49%-1.71% - - 663M
+1.21%+1.70%+15.42%+4.81% 15.96B
+0.64%+0.64%-0.73%+29.99% 6.74B
+0.15%+2.30%+15.97%+10.56% 6.63B
+0.20%+1.87%-2.20%+17.79% 6.52B
-0.21%-1.10%-19.19%-27.89% 6.11B
+1.50%+0.03% - - 6.09B
-0.11%-0.26%-2.33%+8.77% 5.93B
-0.33%+1.25%+20.82%+30.49% 5.83B
0.00%-0.29%-21.06%-23.88% 4.68B
Average +0.45%+0.14%+0.84%+6.33% 6.52B
Weighted average by Cap. +0.49%+0.37%+3.84%+7.06%

Financials

2021 2022
Net sales 385M 338M 314M 288M 545M 36.81B 557M 3.74B 1.46B 18.09B 1.45B 1.41B 62.53B 199M 175M 162M 149M 282M 19.06B 288M 1.94B 758M 9.37B 748M 732M 32.38B
Net income 132M 116M 108M 99.24M 187M 12.67B 192M 1.29B 504M 6.22B 497M 487M 21.52B 421M 370M 343M 316M 596M 40.28B 609M 4.09B 1.6B 19.79B 1.58B 1.55B 68.43B
Net Debt 2.26B 1.98B 1.84B 1.69B 3.19B 216B 3.26B 21.91B 8.58B 106B 8.47B 8.28B 366B 258M 227M 210M 193M 365M 24.66B 373M 2.5B 981M 12.12B 968M 947M 41.89B
Logo iStar Inc.
Safehold Inc. is a real estate investment trust (REIT). The Company helps owners of multifamily, office, industrial, hospitality, student housing, life science and mixed-use properties to generate higher returns. The Company operates its business through one reportable segment by acquiring, managing and capitalizing ground leases. Its primary investment objective is to construct a diversified portfolio of Ground Leases that is focused on generating attractive quality risk-adjusted returns and support stable and growing distributions to its shareholders. The Company’s portfolio consists of Ground Leases and one master lease (relating to five hotel assets that it refers to as its Park Hotels Portfolio). Its portfolio of properties is located across Manhattan; Washington, District of Columbia (DC); Boston; Los Angeles; San Francisco; Denver; Honolulu; Nashville; Miami and Atlanta.
Employees
118
Date Price Change Volume
26-07-13 US$16.35 +1.49% 283,675
26-07-10 US$16.11 -1.29% 199,750
26-07-09 US$16.32 +2.26% 244,876
26-07-08 US$15.96 -0.50% 266,929
26-07-07 US$16.04 +0.50% 367,737
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